Category 117
Discussion List
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Is there a way to export format rules?We'd like to do an export of the custom rules for each format. Is there a way to export the format rules? Seems like there isn't an export option but wondering if there'…
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Switching Format ImpactsSummary: If we have Format A assigned to all of our profiles and create Format B and want to completely replace Format A with the new format, is there any easy way to ad…
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How to export to Organizational units data in ARCS?Summary: How can we export the Organizational units data in ARCS. Content (please ensure you mask any confidential information): we to export the organizational unit dat…Saritha Mannnajirao 31 views 6 comments 0 points Most recent by Tim Gaumont-Oracle Account Reconciliation
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Enterprise Journal Post to ERP errorSummary: Unable to post journal from EPM to ERP thru Enterprise Journal Content (please ensure you mask any confidential information): Hi Oracle Community! We are curren…
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What is the Best Practice for Creating Variance Period Recs for Summary Reconciliations?Summary: When new summary reconciliations are requested, we need to create the summary reconciliation for the current period and the variance period, otherwise, the vari…
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How can I enable or get an "Age" column in "Balance report transaction" in Transaction Matching?To be able to use Transaction Matching files for reconciliation, we need column age available in download. As we need to support aged items. Attached is download from EP…
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Export all Transactions from Reconciliations more than 500000Summary: Hi, we are trying to export the transactions of Reconciliations but while exporting the transactions which are more than 500000, its only exporting 500000 lines…
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Three Way Matching in ARCSSummary: Can users switch a system as source or subsystem within a match type without having to set up the data source twice? Are there any recommendations to configure …Ketan Kashliwal 22 views 1 comment 0 points Most recent by Raavi Divya sri-Oracle Account Reconciliation
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prior reconciliationHi Team, Currently we are able to see only current year periods "prior reconciliation" details under the reconciliation tab. is there any option to view last year as wel…
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Drill Down from ARCS to GL gives Error "Cannot perform cube view operation. Essbase Error(1260046):Build an integration between ERP GL and ARCS using Data exchange. The balances are coming over without issues but when using drill through to source, it is giving an err…
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Data integration for transaction matching exports successfully, but no data is pushed into accountHi, We have a few file-based data integrations that are showing as successful data loads in Data Exchange, including a full import/validate/export process. But, no data …
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Can we add more than 60 attributes in application under data exchangeWe need to pull data from BIP Report to ARCS and BIP report contain more than 60 attributes but not able to add more then 40 attributes and 20 UD in the application unde…SAI SAKETH KANCHERLA 21 views 1 comment 0 points Most recent by Arjun Kumanduri-Oracle Account Reconciliation
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ARCS configurationGood morning, I should configure a reconciliation environment with oracle account reconciliation cloud service. Is anyone who knows the environment willing to take away …
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ARM to ARCS migration issueLooking for some help in resolving migration errors I am trying to migrate from ARM to ARCS Import Step 1:The "Common" node artefacts were imported successfully (did not…
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How to export Views from Reconciliations Page to Data Exchange FolderIs there a way to export saved "Views" from the Reconciliations Page and have it sent outbound to a SFTP Folder using data exchange or otherwise. The goal is to automate…Ketan Kashliwal 12 views 1 comment 1 point Most recent by Komala Reddy-Oracle Account Reconciliation
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One (1) Data Source Process not providing matchesSummary: I am creating a Transaction Matching Recon between GL and Bank with following Match Processes: - Match Process 1: Betweeen GL and Bank (One to One Mapping) - Ma…
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How do we filter out some matched transactions from balance explanations in custom solutionSummary: How do we fix this issue? We are using a custom solution so that we can match on transactions using functional currency. So, we are using a query and report of …
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In Account reconciliation can journals posted as adjustments can be pushed back to source system?Summary: We know that journals can be posted in ARCS but can those journal posted in form of adjustments in ARCS can be auto write back or pushed back directly to source…
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How do we match open tolerance adjustments with the GL adjusting journal entries once booked?Summary: We have identified our unreconciled amount in a transaction-matching account is the result of tolerance adjustments that have been made in ARCS that need to be …
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Update number format in ARCSSummary: I have a user whose default number format is ###.###,000 but they need to enter the values in ARCS as ###,###.000. I can't find a number format setting in ARCS.…Jocelyn Hillman 31 views 3 comments 0 points Most recent by Ryan Lunde-Oracle Account Reconciliation
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Is there any automation for support/Un support transactions in ARCS transact matchingSummary: The requirement is to automatically support transaction with age more than 60 days. Content (please ensure you mask any confidential information): Version (incl…PrinceKumar 51 views 5 comments 0 points Most recent by Arjun Kumanduri-Oracle Account Reconciliation
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How to connect ARCS to databaseSummary: How to upload data into ARCS without generating csv file but using a custom table to connect to it directly to load data. (of course by mapping all attributes a…
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Is there any limit for number of invalid mappingsSummary: Is there a limit to the number of invalid mappings shown after the load period in the application (Periods -> Import Data -> Invalid Mappings)? Does the warning…
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Drill Through on Ending Balance Fails with "Could Not Find Period key for given parameters"Summary: After loading data to an application in ARCS, I'm getting an error when I drill on the Ending Balance in Reconciliation after the load, screenshot below. I have…
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How to send files as encrypted to EPM ARCS using epmautomate?Summary: How to send files as encrypted to EPM ARCS using epmautomate? Content (please ensure you mask any confidential information): We have a requirement to send files…
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Is it possible to have matched in Transit transactions details in custom report output?Can we configure a custom report in ARCS that gives output of matched in transit transactions.SAI SAKETH KANCHERLA 11 views 1 comment 0 points Most recent by Kedar Mahajan-Oracle Account Reconciliation
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Unable to export GroupSummary: Hi. Good day! In 'Manage Groups' tab, the 'Export to CSV' button is not available even if I have already selected the group to be exported. How to enable the bu…
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There is any epmautomate command to know the status of data load ?Summary: Is there is any epmautomate command to know the status of data load. We need a epmautomate command to add in script to know the status of data load . Content (p…Saritha Mannnajirao 31 views 2 comments 0 points Most recent by Rajesh Pachiyappan-Oracle Account Reconciliation
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Source System Balances do not show in RC Recons.Apologies if this is a very Basic question, I am new to ARCS and need help understanding the background process involving . I have setup RC reconciliation for an account…
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Trying to create a custom calculated AttributeTrying to create a custom calculated Attribute with the below conditions: Attribute : Item Sub-Type Condition 1 : When Item Class is set to Type A, then the Item Sub Typ…